Recent Annual Filings for AGL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,733,983,000 $6,060,530,000 $6,352,660,000 $-257,891,000 $-57,777,000 $-2,583,000 $79,531,000
2023 $1,740,866,000 $4,316,363,000 $4,548,496,000 $-259,541,000 $-156,199,000 $-193,133,000 $-393,351,000
2022 $1,697,468,000 $2,708,211,000 $2,813,900,000 $-112,424,000 $-130,808,000 $28,056,000 $-547,140,000
2021 $1,586,252,000 $1,833,559,000 $2,238,157,000 $-406,787,000 $-148,159,000 $1,154,390,000 $915,725,000